Journal of Financial Economics
1974 - 2025
Current editor(s): G. William Schwert From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 85, issue 3, 2007
- How much of the corporate bond spread is due to personal taxes? pp. 599-636

- Sheen Liu, Jian Shi, Junbo Wang and Chunchi Wu
- Why are IPOs underpriced? Evidence from Japan's hybrid auction-method offerings pp. 637-666

- Frank Kerins, Kenji Kutsuna and Richard Smith
- Why do corporate managers misstate financial statements? The role of option compensation and other factors pp. 667-708

- Jap Efendi, Anup Srivastava and Edward P. Swanson
- Collateral, debt capacity, and corporate investment: Evidence from a natural experiment pp. 709-734

- Jie Gan
- Technological innovation and real investment booms and busts pp. 735-754

- Peter DeMarzo, Ron Kaniel and Ilan Kremer
- Determinants of the floating-to-fixed rate debt structure of firms pp. 755-786

- Sudheer Chava and Amiyatosh Purnanandam
- Does industry-wide distress affect defaulted firms? Evidence from creditor recoveries pp. 787-821

- Viral Acharya, Sreedhar T. Bharath and Anand Srinivasan
- SV mixture models with application to S&P 500 index returns pp. 822-856

- Garland B. Durham
- Order flow, dealer profitability, and price formation pp. 857-887

- Peter Locke and Zhan Onayev
Volume 85, issue 2, 2007
- The economics of conflicts of interest in financial institutions pp. 267-296

- Hamid Mehran and René Stulz
- Conflicts of interest, information provision, and competition in the financial services industry pp. 297-330

- Patrick Bolton, Xavier Freixas and Joel Shapiro
- Is there a diversification discount in financial conglomerates? pp. 331-367

- Luc Laeven and Ross Levine
- So what do I get? The bank's view of lending relationships pp. 368-419

- Sreedhar Bharath, Sandeep Dahiya, Anthony Saunders and Anand Srinivasan
- Conflicts of interest in sell-side research and the moderating role of institutional investors pp. 420-456

- Alexander Ljungqvist, Felicia Marston, Laura T. Starks, Kelsey D. Wei and Hong Yan
- Are small investors naive about incentives? pp. 457-489

- Ulrike Malmendier and Devin Shanthikumar
- Comparing the stock recommendation performance of investment banks and independent research firms pp. 490-517

- Brad Barber, Reuven Lehavy and Brett Trueman
- Why are IPO investors net buyers through lead underwriters? pp. 518-551

- John M. Griffin, Jeffrey Harris and Selim Topaloglu
- Business ties and proxy voting by mutual funds pp. 552-570

- Gerald F. Davis and E. Han Kim
- Board structure, mergers, and shareholder wealth: A study of the mutual fund industry pp. 571-598

- Ajay Khorana, Peter Tufano and Lei Wedge
Volume 85, issue 1, 2007
- Risk, return, and dividends pp. 1-38

- Andrew Ang and Jun Liu
- Executive stock options and IPO underpricing pp. 39-65

- Michelle Lowry and Kevin Murphy
- The determinants of corporate board size and composition: An empirical analysis pp. 66-101

- Audra L. Boone, Laura Casares Field, Jonathan Karpoff and Charu G. Raheja
- Laddering in initial public offerings pp. 102-122

- Qing Hao
- The risk return tradeoff in the long run: 1836-2003 pp. 123-150

- Christian Lundblad
- Geographical segmentation of US capital markets pp. 151-178

- Bo Becker
- Portfolio manager ownership and fund performance pp. 179-204

- Ajay Khorana, Henri Servaes and Lei Wedge
- Do managers intentionally use repurchase tender offers to signal private information? Evidence from firm financial reporting behavior pp. 205-233

- Henock Louis and Hal White
- Reaching out: Access to and use of banking services across countries pp. 234-266

- Thorsten Beck, Asli Demirguc-Kunt and Maria Martinez Peria
Volume 84, issue 3, 2007
- Theft and taxes pp. 591-623

- Mihir A. Desai, Alexander Dyck and Luigi Zingales
- Mimicking repurchases pp. 624-666

- Massimo Massa, Zahid Rehman and Theo Vermaelen
- Employee sentiment and stock option compensation pp. 667-712

- Nittai K. Bergman and Dirk Jenter
- The impact of all-star analyst job changes on their coverage choices and investment banking deal flow pp. 713-737

- Jonathan Clarke, Ajay Khorana, Ajay Patel and Raghavendra Rau
- Investor protection and the Coasian view pp. 738-771

- Nittai K. Bergman and Daniel Nicolaievsky
- Is Chapter 11 costly? pp. 772-796

- Avner Kalay, Rajeev Singhal and Elizabeth Tashjian
- The influence of product market dynamics on a firm's cash holdings and hedging behavior pp. 797-825

- David Haushalter, Sandy Klasa and William F. Maxwell
- A lender-based theory of collateral pp. 826-859

- Roman Inderst and Holger M. Mueller
- Good and bad credit contagion: Evidence from credit default swaps pp. 860-883

- Philippe Jorion and Gaiyan Zhang
Volume 84, issue 2, 2007
- Corporate financing decisions when investors take the path of least resistance pp. 266-298

- Malcolm Baker, Joshua Coval and Jeremy Stein
- Private credit in 129 countries pp. 299-329

- Simeon Djankov, Caralee McLiesh and Andrei Shleifer
- Politically connected CEOs, corporate governance, and Post-IPO performance of China's newly partially privatized firms pp. 330-357

- Joseph P.H. Fan, T.J. Wong and Tianyu Zhang
- Firm-specific risk and equity market development pp. 358-388

- Gregory Brown and Nishad Kapadia
- Firm-specific attributes and the cross-section of momentum pp. 389-434

- Jacob S. Sagi and Mark S. Seasholes
- An analysis of trade-size clustering and its relation to stealth trading pp. 435-471

- Gordon Alexander and Mark A. Peterson
- Drexel Burnham Lambert's bankruptcy and the subsequent decline in underwriter fees pp. 472-501

- Miles Livingston and Glenn Williams
- Foreign entry and bank competition pp. 502-528

- Rajdeep Sengupta
- Arrogance can be a virtue: Overconfidence, information acquisition, and market efficiency pp. 529-560

- K. Jeremy Ko and (James) Huang, Zhijian
- Disclosure frequency and earnings management pp. 561-590

- Hoje Jo and Yongtae Kim
Volume 84, issue 1, 2007
- Investment under uncertainty and time-inconsistent preferences pp. 2-39

- Steven R. Grenadier and Neng Wang
- Estimating and testing beta pricing models: Alternative methods and their performance in simulations pp. 40-86

- Jay Shanken and Guofu Zhou
- Do today's trades affect tomorrow's IPO allocations? pp. 87-109

- M. Nimalendran, Jay Ritter and Donghang Zhang
- Insider trading in credit derivatives pp. 110-141

- Viral Acharya and Timothy C. Johnson
- Is universal banking justified? Evidence from bank underwriting of corporate bonds in Japan pp. 142-186

- Jun-Koo Kang and Wei-Lin Liu
- Banking crises, financial dependence, and growth pp. 187-228

- Randall S. Kroszner, Luc Laeven and Daniela Klingebiel
- Do hedge funds deliver alpha? A Bayesian and bootstrap analysis pp. 229-264

- Robert Kosowski, Narayan Y. Naik and Melvyn Teo
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